MERJE are delighted to be partnering exclusively with a fast growing Private Equity firm in their search for a Senior Compliance Officer in London. This critical hire offers an exciting opportunity to oversee compliance in a dynamic and fast paced environment and will play a crucial role in maintaining regulatory standards and fostering a culture of compliance across the business. Working closely with the General Counsel in London, you will be responsible for: Providing timely and practical compliance advice to investment teams, client services, operations, and senior management. Monitoring regulatory developments, assess the impact on the firm’s business, and propose updates to policies, procedures, and processes. Maintaining and update the firm’s Compliance Monitoring Programme Oversee regulatory reporting obligations (including FCA RegData returns, transaction reporting, suspicious transaction reporting, and breach notifications). Maintain the firm’s Anti-Money Laundering (AML), Counter-Terrorist Financing (CTF), and sanctions compliance frameworks. Support the General Counsel in maintaining regulatory records, compliance registers (breaches, conflicts of interest, gifts & entertainment, personal account dealing, etc.). Investigate regulatory breaches and compliance incidents, ensuring appropriate escalation, documentation, and remedial action. Experience/Skills/Qualifications: 5-8 years of broad based Compliance experience ideally gained in a Private Equity / Private Markets environment Practical knowledge of the FCA Handbook (particularly COBS, SYSC, MAR, FUND, and SM&CR). Strong relationship-building skills with the ability to engage proactively with colleagues at all levels Excellent report writing and presentation skills Looking for someone to be in the office 4 days each week (3 days might be considered). Excellent package on offer and an opportunity to take on the SM16/17 functions in the near future.